var financeTableDataInfo = {
    indicator: {
        account_receivable_turnover: "应收账款周转率",
        accounts_payable_turnover_days: "应付账款周转天数",
        accounts_payable_turnover: "应付账款周转率",
        apycvspd: "应付账款转换周期",
        arbcvspd: "应收账款转换周期",
        asset_liab_ratio: "资产负债率",
        avg_roe: "净资产收益率",
        basic_eps: "每股收益",
        beps_aju: "基本每股收益_调整后",
        beps: "基本每股收益",
        bps: "每股净资产",
        capaqcro: "资本充足率",
        capital_reserve: "每股资本公积金",
        cash_cycle: "现金循环周期",
        cro: "流动比率",
        current_asset_turnover_rate: "流动资产周转率",
        current_ratio: "流动比率",
        dprerate: "存款回报率",
        equity_multiplier: "权益乘数",
        equity_ratio: "产权比率",
        fixed_asset_turnover_ratio: "固定资产周转率",
        gpm: "毛利率",
        gross_selling_rate: "销售毛利率",
        holder_equity: "股东权益比率",
        inventory_turnover_days: "存货周转天数",
        inventory_turnover: "存货周转率",
        ivcvspd: "存货转换周期",
        lnrerate: "贷款回报率",
        lntdtro: "存贷比",
        ncf_from_oa_to_total_liab: "现金流量比率",
        ncfps: "每股现金流净额",
        net_interest_of_total_assets: "总资产报酬率",
        net_profit_after_nrgal_atsolc: "扣非净利润",
        net_profit_atsopc_yoy: "净利润同比增长",
        net_profit_atsopc: "净利润",
        net_selling_rate: "销售净利率",
        nfcgcfps: "每股筹资现金流",
        ninvcfps: "每股投资现金流",
        nocfps: "每股经营现金流",
        np_atsopc_nrgal_yoy: "扣非净利润同比增长",
        np_per_share: "每股净资产",
        operate_cash_flow_ps: "每股经营现金流",
        operating_cycle: "营业周期",
        operating_income_yoy: "营业收入同比增长",
        opps: "每股营业利润",
        ore_dlt: "净资产收益率-摊薄",
        ploashh: "净利润",
        plobtxps: "每股利润总额",
        qro: "速动比率",
        quick_ratio: "速动比率",
        receivable_turnover_days: "应收账款周转天数",
        roe: "净资产收益率",
        rop: "人力投入回报率",
        rota: "总资产回报率",
        subtitle1: "关键指标",
        subtitle2: "每股指标",
        subtitle3: "盈利能力",
        subtitle4: "财务风险",
        subtitle5: "运营能力",
        tlia_ta: "资产负债率",
        total_capital_turnover: "总资产周转率",
        total_revenue: "营业收入",
        tsr: "营业收入",
        tsrps: "每股营业收入",
        tto: "营业收入",
        ttops: "每股营业额",
        undistri_profit_ps: "每股未分配利润",
    },
    income: {
        admexp: "行政开支",
        amortized_deposit_for_duty: "减：摊回保险责任准备金",
        amortized_rein_expenditure: "减：摊回分保费用",
        amteqyhdcom: "本公司股本持有人应占溢利",
        amtmiint: "少数股东权益",
        asset_disposal_income: "资产处置收益",
        asset_impairment_loss: "资产减值损失",
        asset_manage_service_charge_ni: "资产管理业务手续费净收入",
        basic_eps: "基本每股收益",
        beps_aju: "每股基本盈利",
        business_and_manage_fee: "业务及管理费",
        ceded_out_premium: "减：分出保费",
        charge_and_commi_expenses: "手续费及佣金支出",
        cmnshdiv: "普通股股息",
        commi_net_income: "手续费及佣金净收入",
        commi_on_insurance_policy: "保单红利支出",
        compen_expense: "减：摊回赔付支出",
        compen_payout: "赔付支出",
        continous_operating_np: "（一）持续经营净利润",
        cppycapse: "资本证券之应付票息",
        credit_impairment_loss: "信用减值损失",
        depaz: "折旧及摊销",
        deps_aju: "每股摊薄盈利",
        divdbups_ajupd: "每股股息",
        dlt_earnings_per_share: "稀释每股收益",
        draw_duty_deposit: "提取保险责任准备金",
        draw_undueduty_deposit: "提取未到期责任准备金",
        earned_premium: "已赚保费",
        enpm: "已赚净保费",
        exchg_gain: "汇兑收益",
        fcgcost: "融资成本",
        fee_and_commi_income: "其中：手续费及佣金收入",
        feeexp: "手续费及佣金支出",
        feeio: "手续费及佣金收益",
        finance_cost_interest_fee: "其中：利息费用",
        finance_cost_interest_income: "利息收入",
        financing_expenses: "财务费用",
        gp: "毛利",
        income_from_chg_in_fv: "公允价值变动收益",
        income_from_chg_in_fv: "加：公允价值变动收益",
        income_tax_expenses: "减：所得税费用",
        insurance_income: "保险业务收入",
        interest_income: "其中：利息收入",
        interest_net_income: "利息净收入",
        interest_payout: "利息支出",
        intexp: "利息支出",
        intio: "利息收益",
        invest_income: "投资收益",
        invest_incomes_from_rr: "其中：对联营企业和合营企业的投资收益",
        ionint: "利息收益净额",
        jtctletiascom: "联营合营公司",
        manage_fee: "管理费用",
        minority_gal: "少数股东损益",
        nearnpm: "已赚取保费净额",
        net_income_from_brokerage: "其中：经纪业务手续费净收入",
        net_income_from_invest_banking: "投资银行业务手续费净收入",
        net_profit_after_nrgal_atsolc: "扣除非经常性损益后的净利润",
        net_profit_atsopc: "归属于母公司所有者的净利润",
        net_profit_bi: "净利润差额(合计平衡项目)",
        net_profit: "净利润",
        nfeeio: "手续费及佣金净额",
        nisuclmic: "保险索偿净额",
        non_operating_income: "加：营业外收入",
        non_operating_payout: "减：营业外支出",
        noncurrent_asset_disposal_loss: "其中：非流动资产处置损失",
        noncurrent_assets_dispose_gain: "其中：非流动资产处置利得",
        nopeioblnipmcgpvs: "营业收益净额",
        nosplitems: "非经营特殊项目",
        npdsubu: "非持续经营业务溢利",
        ntrio: "交易收益净额",
        op: "营业利润",
        opeplo: "经营溢利",
        opeploinclfincost: "扣除融资成本前之经营溢利",
        operating_cost: "其中：营业成本",
        operating_costs: "营业总成本",
        operating_payout: "营业总成本",
        operating_taxes_and_surcharge: "营业税金及附加",
        otcphio: "其他全面收入",
        other_income: "其他收益",
        othr_business_costs: "其他业务成本",
        othr_compre_income_atms: "归属于少数股东的其他综合收益",
        othr_compre_income_atoopc: "归属母公司所有者的其他综合收益",
        othr_compre_income: "其他综合收益",
        othr_income: "其他业务收入",
        otiog: "其他收入及收益",
        otopeexp: "其他经营开支",
        otopeio: "其他营业收益",
        pfshdiv: "优先股股息",
        ploashh: "股东应占溢利",
        plobtx: "除税前溢利",
        plocyr: "除税后溢利",
        profit_total_amt: "利润总额",
        rad_cost: "研发费用",
        refunded_premium: "退保金",
        rein_expenditure: "分保费用",
        rein_premium_income: "其中：分保费收入",
        revenue: "其中：营业收入",
        rshdevexp: "研发开支费用",
        sales_fee: "销售费用",
        slgcost: "销售成本",
        slgdstexp: "销售及分销开支",
        sr_ta: "营业收入合计",
        subtitle1: "每股收益",
        tamtotopeio: "其他营业收益总额",
        tcphio: "全面收入总额",
        tipmcgpvs: "减值及拨备",
        topeexp: "经营开支总额",
        topeexp: "营业支出总额",
        total_compre_income_atms: "归属于少数股东的综合收益总额",
        total_compre_income_atsopc: "归属于母公司股东的综合收益总额",
        total_compre_income: "综合收益总额",
        total_revenue: "营业总收入",
        tto: "总营业额",
        tx: "税项",
        txexcliotx: "所得税以外税金",
    },
    balance: {
        account_receivable: "应收账款",
        accounts_payable: "应付账款",
        accrued_payable: "应付款项",
        act_underwriting_sec: "代理承销证券款",
        acting_td_sec: "代理买卖证券款",
        advance_premium: "预收保费",
        amortized_cost_fnncl_assets: "以摊余成本计量的金融资产",
        ar_and_br: "应收票据及应收账款",
        assured_pledge_loan: "保户质押贷款",
        assured_saving_and_invest: "保户储金及投资款",
        bill_payable: "应付票据",
        bills_receivable: "其中：应收票据",
        bond_payable: "应付债券",
        borrowing_funds: "拆入资金",
        bp_and_ap: "应付票据及应付账款",
        buy_resale_fnncl_assets: "买入返售金融资产",
        ca: "流动资产合计",
        capital_reserve: "资本公积",
        caprx: "资本储备",
        capsou: "总权益",
        cashstfd: "库存现金及短期资金",
        cceq: "现金及现金等价物",
        central_bank_cash_and_deposit: "现金及存放中央银行款项",
        charge_and_commi_payable: "应付手续费及佣金",
        claim_payable: "应付赔付款",
        clia: "流动负债合计",
        cmlbill: "商业票据",
        construction_in_process_sum: "在建工程合计",
        construction_in_process: "其中：在建工程",
        construction_in_process: "在建工程",
        contract_liabilities: "合同负债",
        contractual_assets: "合同资产",
        csdp: "客户存款",
        ctfahkglia: "香港政府负债证明书",
        currency_funds: "货币资金",
        customer_fund_deposit: "其中：客户资金存款",
        customer_provision: "其中：客户备付金",
        derivative_fnncl_assets: "衍生金融资产",
        derivative_fnncl_liab: "衍生金融负债",
        dev_expenditure: "开发支出",
        diftatclia: "总资产减流动负债",
        disbursement_loan_and_advance: "发放贷款和垫款",
        dividend_payable: "应付股利",
        dividend_receivable: "应收股利",
        dpbalbkotfinint: "银行同业存款",
        dpctfah: "持有之存款证",
        dr_a: "衍生金融工具",
        dr_lia: "衍生金融工具",
        dt_assets: "递延所得税资产",
        dt_liab: "递延所得税负债",
        dvdnd_payable_for_the_insured: "应付保单红利",
        earned_surplus: "盈余公积",
        estimated_liab: "预计负债",
        fina: "金融资产",
        finadsnfrv: "按公允价值计入损益的金融资产",
        financing_funds: "融出资金",
        fininv: "金融投资",
        finliadsnfrv: "按公允价值计入损益的金融负债",
        fixed_asset_sum: "固定资产合计",
        fixed_asset: "其中：固定资产",
        fixed_asset: "固定资产",
        fixed_assets_disposal: "固定资产清理",
        fixed_deposit: "定期存款",
        fnncl_assets_sold_for_repur: "卖出回购金融资产款",
        frgn_currency_convert_diff: "外币报表折算差额",
        fv_chg_income_fnncl_assets: "以公允价值计量且其变动计入其他综合收益的金融资产",
        fxda: "固定资产",
        general_risk_provision: "一般风险准备",
        goodwill: "商誉",
        held_to_maturity_invest: "持有至到期投资",
        hkcurntcul: "香港纸币流通额",
        iga: "无形资产",
        independent_account_liab: "独立账户负债",
        insurance_contract_reservez: "保险合同准备金",
        intangible_assets: "无形资产",
        interbank_deposit_etc: "同业及其他金融机构存放款项",
        interbank_storage: "存放同业款项",
        interest_payable: "应付利息",
        interest_receivable: "应收利息",
        inv: "投资",
        inventory: "存货",
        invest_property: "投资性房地产",
        itemscrsclcotbk: "向其他银行托收中之项目",
        itemscrstmsotbk: "向其他银行传送中之项目",
        iv: "存货",
        lending_fund: "拆出资金",
        life_insurance_reserve: "寿险责任准备金",
        lnadtbk: "银行同业贷款及垫款",
        lnadtcs: "客户贷款及垫款",
        loan_from_central_bank: "向中央银行借款",
        lt_deferred_expense: "长期待摊费用",
        lt_equity_invest: "长期股权投资",
        lt_health_insurance_reserve: "长期健康险责任准备金",
        lt_loan: "长期借款",
        lt_payable_sum: "长期应付款合计",
        lt_payable: "长期应付款",
        lt_receivable: "长期应收款",
        lt_staff_salary_payable: "长期应付职工薪酬",
        ltdt: "长期债项",
        miint: "少数股东权益",
        minority_equity: "少数股东权益",
        nalia: "净资产",
        nca_due_within_one_year: "一年内到期的非流动资产",
        ncalia: "净流动负债",
        noncurrent_liab_di: "递延收益-非流动负债",
        noncurrent_liab_due_in1y: "一年内到期的非流动负债",
        ntra: "非持作买卖用途之资产\t",
        numtsh: "总股本",
        oil_and_gas_asset: "油气资产",
        ota: "其他资产",
        otca: "其他流动资产",
        other_eq_ins_invest: "其他权益工具投资",
        other_illiquid_fnncl_assets: "其他非流动金融资产",
        othr_assets: "其他资产",
        othr_compre_income: "其他综合收益",
        othr_current_assets: "其他流动资产",
        othr_current_liab: "其他流动负债",
        othr_equity_instruments: "其他权益工具",
        othr_liab: "其他负债",
        othr_non_current_liab: "其他非流动负债",
        othr_noncurrent_assets: "其他非流动资产",
        othr_payables: "其他应付款",
        othr_receivables: "其他应收款",
        otlia: "其他负债",
        otltlia: "其他长期负债",
        otnca: "其他非流动资产",
        otrx: "其他储备",
        otstdt: "其他短期负债",
        paid_capital_deposit: "存出资本保证金",
        paid_deposit: "存出保证金",
        payroll_payable: "应付职工薪酬",
        perpetual_bond: "永续债",
        pledged_loan: "其中：质押借款",
        pre_payment: "预付款项",
        pre_receivable: "预收款项",
        precious_metal: "贵金属",
        preferred_share: "其中：优先股",
        premium_receivable: "应收保费",
        productive_biological_assets: "生产性生物资产",
        project_goods_and_material: "工程物资",
        receivable_deposit_of_lt_hi: "应收分保长期健康险责任准备金",
        receivable_invest: "应收款项类投资",
        receivable_rein_duty_reserve: "应收分保寿险责任准备金",
        receivable_rein_olr: "应收分保未决赔款准备金",
        receivable: "应收款项",
        received_deposit: "存入保证金",
        rein_account_receivable: "应收分保账款",
        rein_contract_reserve: "应收分保合同准备金",
        rein_payable: "应付分保账款",
        rein_undue_liability_reserve: "应收分保未到期责任准备金",
        reserve_for_outstanding_losses: "未决赔款准备金",
        rpaculo: "保留溢利",
        salable_financial_assets: "可供出售金融资产",
        saleable_finacial_assets: "可供出售金融资产",
        savings_absorption: "吸收存款",
        sbnlia: "后偿负债",
        separate_account: "独立账户资产",
        settle_reserves: "结算备付金",
        shares: "实收资本(或股本)",
        shares: "股本",
        shhfd: "股东权益",
        shpm: "股份溢价",
        special_payable: "专项应付款",
        special_reserve: "专项储备",
        st_financing_payable: "应付短期融资款",
        st_loan: "短期借款",
        stdt: "短期债项",
        subtitle1: "流动资产",
        subtitle1: "资产",
        subtitle2: "负债",
        subtitle2: "非流动资产",
        subtitle3: "所有者权益",
        subtitle3: "流动负债",
        subtitle3: "股东权益",
        subtitle4: "非流动负债",
        subtitle5: "所有者权益",
        subtitle5: "股东权益",
        ta: "总资产",
        tax_payable: "应交税费",
        td_seat_fee: "其中：交易席位费",
        tdtinstr: "已发行债券",
        teqy: "总权益",
        timedpbkotfinit_a: "定期存放银行同业及其他财务机构_资产",
        timedpbkotfinit_lia: "定期存放银行同业及其他财务机构_负债",
        tintasjtvt: "联营合营公司权益",
        tlia: "总负债",
        tliacapsou: "总负债及总权益",
        tnca: "非流动资产合计",
        tnclia: "非流动负债合计",
        to_sale_asset: "划分为持有待售的资产",
        to_sale_debt: "划分为持有待售的负债",
        total_assets: "资产合计",
        total_current_assets: "流动资产合计",
        total_current_liab: "流动负债合计",
        total_holders_equity: "股东权益合计",
        total_liab_and_holders_equity: "负债和股东权益总计",
        total_liab: "负债合计",
        total_noncurrent_assets: "非流动资产合计",
        total_noncurrent_liab: "非流动负债合计",
        total_quity_atsopc: "归属于母公司股东权益合计",
        tra: "交易用途资产",
        tradable_fnncl_assets: "交易性金融资产",
        tradable_fnncl_liab: "交易性金融负债",
        treasury_stock: "减：库存股",
        trlia: "交易用途负债",
        trpy: "应付账款",
        trrb: "应收账款",
        trse: "可供出售的证券",
        trx: "总储备",
        undstrbtd_profit: "未分配利润",
        unearned_premium_reserve: "未到期责任准备金",
    },
    cash_flow: {
        acting_sec_received_net_cash: "代理买卖证券收到的现金净额",
        adtfxda: "增添固定资产",
        borrowing_net_add_central_bank: "向中央银行借款净增加额",
        borrowing_net_increase_amt: "拆入资金净增加额",
        branch_paid_to_minority_holder: "其中：子公司支付给少数股东的股利",
        cash_of_orig_ic_indemnity: "支付原保险合同赔付款项的现金",
        cash_paid_for_assets: "购建固定资产、无形资产和其他长期资产支付的现金",
        cash_paid_for_fees_and_commi: "支付利息、手续费及佣金的现金",
        cash_paid_for_interests_etc: "支付利息、手续费及佣金的现金",
        cash_paid_for_policy_dividends: "支付保单红利的现金",
        cash_paid_of_distribution: "分配股利、利润或偿付利息支付的现金",
        cash_paid_to_employee_etc: "支付给职工以及为职工支付的现金",
        cash_pay_for_debt: "偿还债务支付的现金",
        cash_received_from_bond_issue: "发行债券收到的现金",
        cash_received_from_investor: "其中：子公司吸收少数股东投资收到的现金",
        cash_received_from_orig_ic: "收到原保险合同保费取得的现金",
        cash_received_of_absorb_invest: "吸收投资收到的现金",
        cash_received_of_borrowing: "取得借款收到的现金",
        cash_received_of_dspsl_invest: "收回投资收到的现金",
        cash_received_of_interest_etc: "收取利息、手续费及佣金的现金",
        cash_received_of_othr_fa: "收到其他与筹资活动有关的现金",
        cash_received_of_othr_ia: "收到其他与投资活动有关的现金",
        cash_received_of_othr_oa: "收到其他与经营活动有关的现金",
        cash_received_of_sales_service: "销售商品、提供劳务收到的现金",
        cceqbegyr: "期初现金",
        cceqeyr: "期末现金",
        dcinv: "投资减少",
        depaz: "折旧及摊销",
        deposit_and_interbank_net_add: "客户存款和同业存放款项净增加额",
        divp: "已派股息",
        divrc: "已收股息",
        dsfxda: "出售固定资产",
        effect_of_exchange_chg_on_cce: "汇率变动对现金及现金等价物的影响",
        eqyfin: "股本融资",
        final_balance_of_cce: "期末现金及现金等价物余额",
        fxdiodtinstr: "定息或债项工具融资",
        goods_buy_and_service_cash_pay: "购买商品、接受劳务支付的现金",
        ia_cos_si: "取得子公司及其他营业单位支付的现金净额",
        icdccceq: "现金净额",
        icinv: "投资增加",
        initial_balance_of_cce: "加：期初现金及现金等价物余额",
        intp: "已付利息",
        intrc: "已收利息",
        invest_income_cash_received: "取得投资收益收到的现金",
        invest_paid_cash: "投资支付的现金",
        lending_net_add_other_org: "向其他金融机构拆入资金净增加额",
        lnrpa: "偿还贷款",
        loan_and_advance_net_add: "客户贷款及垫款净增加额",
        naa_assured_saving_and_invest: "保户储金及投资款净增加额",
        naa_of_cb_and_interbank: "存放中央银行和同业款项净增加额",
        naa_of_disposal_fnncl_assets: "处置交易性金融资产净增加额",
        ncf_from_fa: "筹资活动产生的现金流量净额",
        ncf_from_ia: "投资活动产生的现金流量",
        ncf_from_ia: "投资活动产生的现金流量净额",
        ncf_from_oa: "经营活动产生的现金流量",
        ncf_from_oa: "经营活动产生的现金流量净额",
        ncfdchexrateot: "汇率影响",
        ncfrldpty_finact: "与关连人士之现金流量_融资活动",
        ncfrldpty_invact: "与关联人士之现金流量_投资活动",
        net_add_in_repur_capital: "回购业务资金净增加额",
        net_cash_amt_from_branch: "取得子公司及其他营业单位支付的现金净额",
        net_cash_of_disposal_assets: "处置固定资产、无形资产和其他长期资产收回的现金净额",
        net_cash_of_disposal_branch: "处置子公司及其他营业单位收到的现金净额",
        net_cash_received_from_rein: "收到再保业务现金净额",
        net_increase_in_cce: "现金及现金等价物净增加额",
        net_increase_in_pledge_loans: "质押贷款净增加额",
        nfcgcf: "融资活动产生的现金流量净额",
        nicln: "新增贷款",
        ninvcf: "投资活动产生的现金流量净额",
        nocf: "经营活动产生的现金流量净额",
        oa_net_ci_si: "收到的税费返还",
        oa_net_cos_si: "支付再保险业务现金净额",
        othrcash_paid_relating_to_fa: "支付其他与筹资活动有关的现金",
        othrcash_paid_relating_to_ia: "支付其他与投资活动有关的现金",
        othrcash_paid_relating_to_oa: "支付其他与经营活动有关的现金",
        payments_of_all_taxes: "支付的各项税费",
        refund_of_tax_and_levies: "收到的税费返还",
        rpafxdiodtinstr: "偿还定息或债项工具",
        sub_total_of_ci_from_fa: "筹资活动现金流入小计",
        sub_total_of_ci_from_ia: "投资活动现金流入小计",
        sub_total_of_ci_from_oa: "经营活动现金流入小计",
        sub_total_of_cos_from_fa: "筹资活动现金流出小计",
        sub_total_of_cos_from_ia: "投资活动现金流出小计",
        sub_total_of_cos_from_oa: "经营活动现金流出小计",
        subtitle1: "经营活动产生的现金流量",
        subtitle2: "投资活动产生的现金流量",
        subtitle3: "筹资活动产生的现金流量",
        txprf: "退回或已缴税项",
    }
};
